_id
691314d0ccc777a4e85d8024
Ticker
MEGEF
Name
MEG Energy Corp
Exchange
PINK
Address
Mail Room, Calgary, AB, Canada, T2P 0G5
Country
USA
Sector
Energy
Industry
Oil & Gas E&P
Currency
USD
Website
https://www.megenergy.com
Description
MEG Energy Corp., an energy company, focuses on in situ thermal oil production in its Christina Lake Project in the southern Athabasca oil region of Alberta, Canada. The company develops oil recovery projects that utilize steam-assisted gravity drainage extraction methods to improve the recovery of oil. It also transports and sells thermal oil in North America and internationally. The company was incorporated in 1999 and is headquartered in Calgary, Canada.
Last Close
21.95
Volume
11300
Current Price
22.05
Change
0.45558086560365113
Last Updated
2025-11-11T10:49:52.425Z
Image
data:image/webp;base64,UklGRhQFAABXRUJQVlA4WAoAAAAQAAAAPwAAPwAAQUxQSNcDAAABoLZt2+G63tE9yXLt5ti1bdt2u23V+rRt1rZt27Ztu8tmMveHzPvknUlETADsrTf32sP9A10I1jzzfPQ/WTVIGt+jMntMWBCE/u2l9Gpdx1U+zwAzP3WWMSSNAfuaO6n4Tuqc90Vtx/SJpvDCGRXJg3UdkWcBhWnDDeyR0Ds1r33NHlB4tjJCfs8RkS/ftyn0by/VOb+HoPwpBr6vnB2Vz1F4pyHwZTJ1JrbRZgxJo9qcHoVCG6jO2Bkr4BNDU4GdFL7oBHR8SfWFqugsSXFpMgYnqVYXQMRkk0rvf6GofF7yO7R7tlgkfgpUv0z1k9bAZylUZ4wy9AHvxpD7S8AYmEb1ugIoupXCm7UBlBmppVYDF1B8zXAD7+ynOnYA0Ost1ebUCMAYmLxRxycmb7eEf79YqveXQORUk+roHgBK7ye17CfpmxwJhEw3FRmjDDS+R+GuYoAxMJmabtH/bjMAze9aXK+NkO+zqM743gV4ttNfyz0L+uZGAZFjfDSnhqPMMQpv1QHwbjxtIx+0BNDmaGvg6xSqzRmRgGcblfbQOyYcAApvpjC6J4B34+kQ8kZDAA3uCPZ6AM9WSm1jzphwIGKM1yL7DxfwVSLFv9tGXq8PoMktkrfrAsW3UvymDxzAnDFhQMQY77JcwLtxFK8rBEeQ1+oC8AAFtlMc3R9AuA2mhFk/hwCIOEHxDg+A9gf1zev0TEIeBjCF0riPAERONe/pG428803JW6BEjmSHB0DD26QN/wDo/Ez2I9WJXwII+SOHtjwpBSDvfFOyT7WvJICq5+lvA5NGuQB0eip4YJX2vQswBqbSNvJYRQB555qKWIu75QCUOkilPUz73gWg01OreItNAN6No0PIE5UA5J1rygpvpNQ2pn/vBtDpqWgIHUUeqwgg35ggYvr3bvgHD3m6ajCkpUiY8Z07sLUl4m36ofReCbknkIRPgWc2fQvjywTJwwC2Fgdcr2xaAMCzRXBflDgQQJnD9L+s46qF768wAB9EK+5KGpcAjIEptNynY4kFeaMxgAJzrW5LABTfRuUYHb0U9E6IAtDrpd8t2UfxVLfSYdxQkPfbAMi/0CRvSgqvp/AMtDZIVdGckxdAx8e8Luj5hsKkmnrQ4IGKfNYNQO7pV1QplEY3hu6oSV4VubwQgIoq8eYisLHJTQHffgb/gNJGwd7Q77NU5PYSGs5UhO11LgkY/2kgWT+HwIEh32eoeD+A6/Xg0ApH9OSMCYNjjYEpGm40gKPL7lfdtPCOjYDDjc/irMb53W2KIPRstsh/mI9GRiI43425DwBhCN5iY/xsBgBWUDggFgEAANAIAJ0BKkAAQAA+tU6hTScjoyImFVzo4BaJYgDMAdIIBtq+fg0wDeE/KAJlsqus3LLSDdH2nBhd4JJjg0Go1W/JWXR+ABB5YCkB81WbFWAA/v1RRf9BViRbzsiDkOnYZ2nhbZ28wPmZGVymsdefeA5v9YrE9+NBgFHY5x/o1Ux07Lnl8U45+HyLpmbn/9yXO6m5fdkeSPjkeM7HyhJIQG+UuI8Hy8qUq5ddw0CF2YlkGZ/Opy/ZW5yJ3GpPBoS+6mlDWW7Qx29xjFyHLocw8eHgz+Aesc59hGHoz3R3m5ygeZimGeefiSNOi9pqP1rLq5ezo/2T2kClQ63enDGnUodGlZwdxJflDuBM0Nk1A8s/4aLBCAAA
Ipo Date
-
Market Cap
5517459456
Next Dividend Date
-
Dividend Frequency
-
Dividend Rate
-
Dividend Yield
0
Sentiment
0.7210382352941176
Sentiment Sources
34
Current Quarter
2025-06-30
Revenue
825000000
Cost Of Revenue
503000000
Gross Profit
322000000
Operating Expenses
259000000
Operating Income
63000000
Interest Expense
18000000
Pretax Income
72000000
Net Income
67000000
Eps
0.2627450980392157
Dividends Per Share
-26000000
Shares Outstanding
255000000
Income Tax Expense
5000000
EBITDA
165000000
Total Other Income Expense Net
-
Cash
195000000
Short Term Investments
-
Receivables
179000000
Inventories
325000000
Total Current Assets
721000000
Property Plant Equipment
5856000000
Total Assets
6777000000
Payables
425000000
Short Term Debt
-
Long Term Debt
812000000
Total Liabilities
2159000000
Equity
4618000000
Depreciation
75000000
Change In Working Capital
210000000
Cash From Operations
329000000
Capital Expenditures
200000000
Cash From Investing
-176000000
Cash From Financing
-35000000
Net Change In Cash
107000000
PE
14.6554
PB
1.217572542226072
ROE
1.4508445214378518
ROA
0.9886380404308691
FCF
129000000
Fcf Percent
0.15636363636363637
Piotroski FScore
4
Health Score
67
Deep Value Investing Score
7.5
Defensive Investing Score
6.5
Dividend Investing Score
5
Economic Moat Investing Score
8.3
Garp Investing Score
4
Growth Investing Score
3
Momentum Investing Score
8
Net Net Investing Score
4
Quality Investing Score
6
Value Investing Score
8
Quarters > 0 > quarter
2025-06-30
Quarters > 0 > income Statement > revenue
825000000
Quarters > 0 > income Statement > cost Of Revenue
503000000
Quarters > 0 > income Statement > gross Profit
322000000
Quarters > 0 > income Statement > operating Expenses
259000000
Quarters > 0 > income Statement > operating Income
63000000
Quarters > 0 > income Statement > interest Expense
18000000
Quarters > 0 > income Statement > pretax Income
72000000
Quarters > 0 > income Statement > net Income
67000000
Quarters > 0 > income Statement > eps
0.2627450980392157
Quarters > 0 > income Statement > dividends Per Share
-26000000
Quarters > 0 > income Statement > shares Outstanding
255000000
Quarters > 0 > income Statement > income Tax Expense
5000000
Quarters > 0 > income Statement > EBITDA
165000000
Quarters > 0 > income Statement > total Other Income Expense Net
-
Quarters > 0 > balance Sheet > cash
195000000
Quarters > 0 > balance Sheet > short Term Investments
-
Quarters > 0 > balance Sheet > receivables
179000000
Quarters > 0 > balance Sheet > inventories
325000000
Quarters > 0 > balance Sheet > total Current Assets
721000000
Quarters > 0 > balance Sheet > property Plant Equipment
5856000000
Quarters > 0 > balance Sheet > total Assets
6777000000
Quarters > 0 > balance Sheet > payables
425000000
Quarters > 0 > balance Sheet > short Term Debt
-
Quarters > 0 > balance Sheet > long Term Debt
812000000
Quarters > 0 > balance Sheet > total Liabilities
2159000000
Quarters > 0 > balance Sheet > equity
4618000000
Quarters > 0 > cash Flow > net Income
67000000
Quarters > 0 > cash Flow > depreciation
75000000
Quarters > 0 > cash Flow > change In Working Capital
210000000
Quarters > 0 > cash Flow > cash From Operations
329000000
Quarters > 0 > cash Flow > capital Expenditures
200000000
Quarters > 0 > cash Flow > cash From Investing
-176000000
Quarters > 0 > cash Flow > cash From Financing
-35000000
Quarters > 0 > cash Flow > net Change In Cash
107000000
Quarters > 0 > ratios > PE
0.2627450980392157
Quarters > 0 > ratios > PB
1.217572542226072
Quarters > 0 > ratios > ROE
1.4508445214378518
Quarters > 0 > ratios > ROA
0.9886380404308691
Quarters > 0 > ratios > FCF
129000000
Quarters > 0 > ratios > Piotroski FScore
4
Quarters > 0 > ratios > fcf Percent
0.15636363636363637
Quarters > 0 > health Score
67
Quarters > 1 > quarter
2025-03-31
Quarters > 1 > income Statement > revenue
1270000000
Quarters > 1 > income Statement > cost Of Revenue
688000000
Quarters > 1 > income Statement > gross Profit
582000000
Quarters > 1 > income Statement > operating Expenses
289000000
Quarters > 1 > income Statement > operating Income
293000000
Quarters > 1 > income Statement > interest Expense
19000000
Quarters > 1 > income Statement > pretax Income
273000000
Quarters > 1 > income Statement > net Income
211000000
Quarters > 1 > income Statement > eps
0.8178294573643411
Quarters > 1 > income Statement > dividends Per Share
-26000000
Quarters > 1 > income Statement > shares Outstanding
258000000
Quarters > 1 > income Statement > income Tax Expense
62000000
Quarters > 1 > income Statement > EBITDA
384000000
Quarters > 1 > income Statement > total Other Income Expense Net
-
Quarters > 1 > balance Sheet > cash
88000000
Quarters > 1 > balance Sheet > short Term Investments
22000000
Quarters > 1 > balance Sheet > receivables
430000000
Quarters > 1 > balance Sheet > inventories
275000000
Quarters > 1 > balance Sheet > total Current Assets
815000000
Quarters > 1 > balance Sheet > property Plant Equipment
5726000000
Quarters > 1 > balance Sheet > total Assets
6747000000
Quarters > 1 > balance Sheet > payables
391000000
Quarters > 1 > balance Sheet > short Term Debt
16000000
Quarters > 1 > balance Sheet > long Term Debt
857000000
Quarters > 1 > balance Sheet > total Liabilities
2157000000
Quarters > 1 > balance Sheet > equity
4590000000
Quarters > 1 > cash Flow > net Income
211000000
Quarters > 1 > cash Flow > depreciation
92000000
Quarters > 1 > cash Flow > change In Working Capital
-84000000
Quarters > 1 > cash Flow > cash From Operations
296000000
Quarters > 1 > cash Flow > capital Expenditures
157000000
Quarters > 1 > cash Flow > cash From Investing
-175000000
Quarters > 1 > cash Flow > cash From Financing
-188000000
Quarters > 1 > cash Flow > net Change In Cash
-68000000
Quarters > 1 > ratios > PE
0.8178294573643411
Quarters > 1 > ratios > PB
1.2394117647058822
Quarters > 1 > ratios > ROE
4.596949891067538
Quarters > 1 > ratios > ROA
3.1273158440788498
Quarters > 1 > ratios > FCF
139000000
Quarters > 1 > ratios > Piotroski FScore
4
Quarters > 1 > ratios > fcf Percent
0.1094488188976378
Quarters > 1 > health Score
67
Quarters > 2 > quarter
2024-12-31
Quarters > 2 > income Statement > revenue
1279000000
Quarters > 2 > income Statement > cost Of Revenue
792000000
Quarters > 2 > income Statement > gross Profit
487000000
Quarters > 2 > income Statement > operating Expenses
275000000
Quarters > 2 > income Statement > operating Income
212000000
Quarters > 2 > income Statement > interest Expense
12000000
Quarters > 2 > income Statement > pretax Income
152000000
Quarters > 2 > income Statement > net Income
106000000
Quarters > 2 > income Statement > eps
0.407455669976283
Quarters > 2 > income Statement > dividends Per Share
-27000000
Quarters > 2 > income Statement > shares Outstanding
260151000
Quarters > 2 > income Statement > income Tax Expense
46000000
Quarters > 2 > income Statement > EBITDA
308000000
Quarters > 2 > income Statement > total Other Income Expense Net
-
Quarters > 2 > balance Sheet > cash
156000000
Quarters > 2 > balance Sheet > short Term Investments
19000000
Quarters > 2 > balance Sheet > receivables
421000000
Quarters > 2 > balance Sheet > inventories
258000000
Quarters > 2 > balance Sheet > total Current Assets
854000000
Quarters > 2 > balance Sheet > property Plant Equipment
5684000000
Quarters > 2 > balance Sheet > total Assets
6744000000
Quarters > 2 > balance Sheet > payables
455000000
Quarters > 2 > balance Sheet > short Term Debt
16000000
Quarters > 2 > balance Sheet > long Term Debt
858000000
Quarters > 2 > balance Sheet > total Liabilities
2191000000
Quarters > 2 > balance Sheet > equity
4553000000
Quarters > 2 > cash Flow > net Income
106000000
Quarters > 2 > cash Flow > depreciation
150000000
Quarters > 2 > cash Flow > change In Working Capital
-29000000
Quarters > 2 > cash Flow > cash From Operations
311000000
Quarters > 2 > cash Flow > capital Expenditures
172000000
Quarters > 2 > cash Flow > cash From Investing
-142000000
Quarters > 2 > cash Flow > cash From Financing
-185000000
Quarters > 2 > cash Flow > net Change In Cash
-2000000
Quarters > 2 > ratios > PE
0.407455669976283
Quarters > 2 > ratios > PB
1.2599010652317155
Quarters > 2 > ratios > ROE
2.32813529540962
Quarters > 2 > ratios > ROA
1.571767497034401
Quarters > 2 > ratios > FCF
139000000
Quarters > 2 > ratios > Piotroski FScore
4
Quarters > 2 > ratios > fcf Percent
0.10867865519937452
Quarters > 2 > health Score
64
Quarters > 3 > quarter
2024-09-30
Quarters > 3 > income Statement > revenue
1434000000
Quarters > 3 > income Statement > cost Of Revenue
947000000
Quarters > 3 > income Statement > gross Profit
487000000
Quarters > 3 > income Statement > operating Expenses
259000000
Quarters > 3 > income Statement > operating Income
228000000
Quarters > 3 > income Statement > interest Expense
23000000
Quarters > 3 > income Statement > pretax Income
214000000
Quarters > 3 > income Statement > net Income
167000000
Quarters > 3 > income Statement > eps
0.620817843866171
Quarters > 3 > income Statement > dividends Per Share
-
Quarters > 3 > income Statement > shares Outstanding
269000000
Quarters > 3 > income Statement > income Tax Expense
47000000
Quarters > 3 > income Statement > EBITDA
398000000
Quarters > 3 > income Statement > total Other Income Expense Net
-
Quarters > 3 > balance Sheet > cash
158000000
Quarters > 3 > balance Sheet > short Term Investments
21000000
Quarters > 3 > balance Sheet > receivables
350000000
Quarters > 3 > balance Sheet > inventories
281000000
Quarters > 3 > balance Sheet > total Current Assets
810000000
Quarters > 3 > balance Sheet > property Plant Equipment
5680000000
Quarters > 3 > balance Sheet > total Assets
6690000000
Quarters > 3 > balance Sheet > payables
425000000
Quarters > 3 > balance Sheet > short Term Debt
16000000
Quarters > 3 > balance Sheet > long Term Debt
804000000
Quarters > 3 > balance Sheet > total Liabilities
2076000000
Quarters > 3 > balance Sheet > equity
4614000000
Quarters > 3 > cash Flow > net Income
167000000
Quarters > 3 > cash Flow > depreciation
161000000
Quarters > 3 > cash Flow > change In Working Capital
79000000
Quarters > 3 > cash Flow > cash From Operations
441000000
Quarters > 3 > cash Flow > capital Expenditures
141000000
Quarters > 3 > cash Flow > cash From Investing
-121000000
Quarters > 3 > cash Flow > cash From Financing
-245000000
Quarters > 3 > cash Flow > net Change In Cash
72000000
Quarters > 3 > ratios > PE
0.620817843866171
Quarters > 3 > ratios > PB
1.2855331599479844
Quarters > 3 > ratios > ROE
3.6194191590810574
Quarters > 3 > ratios > ROA
2.4962630792227203
Quarters > 3 > ratios > FCF
300000000
Quarters > 3 > ratios > Piotroski FScore
4
Quarters > 3 > ratios > fcf Percent
0.20920502092050208
Quarters > 3 > health Score
75
Valuation > metrics > PE
14.6554
Valuation > metrics > PB
1.217572542226072
Valuation > final Score
100
Valuation > verdict
Fair
Profitability > metrics > ROE
1.4508445214378518
Profitability > metrics > ROA
9.29264909847434
Profitability > metrics > Net Margin
0.08121212121212121
Profitability > final Score
43
Profitability > verdict
Weak
Risk > metrics > Debt Equity
0.467518406236466
Risk > metrics > Interest Coverage
3.5
Risk > final Score
74
Risk > verdict
Low
Liquidity > metrics > Current Ratio
1.6964705882352942
Liquidity > metrics > Quick Ratio
0.9317647058823529
Liquidity > final Score
89
Liquidity > verdict
Great
Prev Valuations > 0
100
Prev Valuations > 1
100
Prev Valuations > 2
100
Prev Profitabilities > 0
64
Prev Profitabilities > 1
47
Prev Profitabilities > 2
55
Prev Risks > 0
100
Prev Risks > 1
100
Prev Risks > 2
100
Prev Liquidities > 0
100
Prev Liquidities > 1
95
Prev Liquidities > 2
96
Updated At
2026-01-20T22:11:37.820Z
MEG Energy Corp., an energy company, focuses on in situ thermal oil production in its Christina Lake Project in the southern Athabasca oil region of Alberta, Canada. The company develops oil recovery projects that utilize steam-assisted gravity drainage extraction methods to improve the recovery of oil. It also transports and sells thermal oil in North America and internationally. The company was incorporated in 1999 and is headquartered in Calgary, Canada.
Stock Price
$0.00
increase compared to yesterday.
Dividend
Frequency:
Rate:
N/ANext Payout:
N/AMEG Energy meeting on Cenovus deal postponed another week (MEGEF:OTCMKTS) Seeking Alpha
Read more →Cenovus boosts MEG Energy offer to C$30/share, wins Strathcona’s backing (CVE:NYSE) Seeking Alpha
Read more →Showing 2 of 10
(Last Updated 2025-06-30)
Health Score
Price to Earnings Ratio (P/E)
-
Very High
Low ≥ 50
High ≤ 10
Price to Book Ratio (P/B)
-
Very Low
Low ≤ 1
High ≥ 3
Return on Equity (ROE)
-
Very Low
Low ≤ 5%
High ≥ 25%
Return on Assets (ROA)
-
Very Low
Low ≤ 2%
High ≥ 10%
Free Cash Flow - Revenue % (FCF)
-
Very High
Low ≤ 5%
High ≥ 15%
Debt to Equity
-
High
Low ≥ 1
High ≤ 0.3
* Institutions hold a combined 0.00% of the total shares of MEG Energy Corp
* Investors data is estimated based on stocks listed on Finnton that are currently held by Institution/Fund.
No earnings data available.
(Last Updated 2025-06-30)
(Last Updated 2025-06-30)
Revenue
$ 0
Cost Of Revenue
$ 0
Gross Profit
$ 0
Operating Expenses
$ 0
Operating Income
$ 0
Interest Expense
$ 0
Pretax Income
$ 0
Net Income
$ 0
Income Tax Expense
$ 0
EBITDA
$ 0
Total Other Income Expense Net
$ 0
Earnings Per Share
0
Dividends Per Share
0
Shares Outstanding
0
(Last Updated 2025-06-30)
Cash
$ 0
Short Term Investments
$ 0
Receivables
$ 0
Inventories
$ 0
Total Current Assets
$ 0
Property Plant Equipment
$ 0
Total Assets
$ 0
Payables
$ 0
Short Term Debt
$ 0
Long Term Debt
$ 0
Total Liabilities
$ 0
Equity
$ 0
(Last Updated 2025-06-30)
Net Income
$ 0
Depreciation
$ 0
Change In Working Capital
$ 0
Cash From Operations
$ 0
Capital Expenditures
$ 0
Cash From Investing
$ 0
Cash From Financing
$ 0
Net Change In Cash
$ 0
Disclaimer: Finnton is a stock screener tool provided for informational and educational purposes only. The data, analysis, and insights offered on this website do not constitute financial, investment, tax, or legal advice. Users are solely responsible for their own investment decisions, and Finnton makes no guarantees regarding the accuracy, completeness, or reliability of the information provided. Past performance is not indicative of future results. Always conduct your own research and consult with a licensed financial advisor before making any investment decisions.